Wisconsin. Department of Agriculture, Trade, and Consumer Protection. Trade and Consumer Protection Division: Unfair Sales and Dairy Trade Practices Case Files, 1965-2008

Container Title
1994/142
Part 8 (1994/142): Additions, 1980-1985
Physical Description: 2.0 cubic feet (2 records center cartons) 
Scope and Content Note: Audits, 1981-1983. Boxes contain audits for Hawthorn, Borden, Morning Glory, and Lake to Lake. Typical files include correspondence, reports, price lists, and various other business documents.
Box   1
Folder   1
Hawthorn Mellody Farms Dairy
Compliance exam, 1983 March
Box   1
Folder   2
Warehouse Cultured Product Program - Billings, 1983 January
Box   1
Folder   3
Cash disbursement documentation
Box   1
Folder   4
Expense report documentation
Box   1
Folder   5
Compliance exam
Box   1
Folder   6
Backup documentation reviewed
Box   1
Folder   7
Needed documents from Hawthorn Mellody
Box   1
Folder   8
Wholesale customer billings
Box   1
Folder   9
Price lists effective , 1982 December 13
Box   1
Folder   10
Competitive documentation
Borden Inc.
Box   1
Folder   11-12
Borden Dairy and Services Division, 1981
Box   1
Folder   13
Borden Ice Cream Products price list, 1980
Box   1
Folder   14
Notes for report, 1981
Box   1
Folder   15
S. 00.201 compliance audit schedules
Box   1
Folder   16
Competitive documentation
Box   1
Folder   17
Borden Dairy and Services Division - Review of Check Register, 1980 December-1981 May
Box   1
Folder   18
Borden Inc. - La Crosse Area Competitive Pricing, 1981 July
Morning Glory Dairy
Box   2
Folder   1
Schedules
Box   2
Folder   2
Contract Hauler Buildings
Box   2
Folder   3
Competitive Documentation
Consolidated Badger Co-op, Morning Glory Dairy, compliance audit for 1981 March 9-21
Box   2
Folder   4
Price lists
Box   2
Folder   5
Backup documentation for adjustments
Lake to Lake Dairy
Box   2
Folder   6
Schedules
Box   2
Folder   7
Price lists
Box   2
Folder   8
Competitive price documentation
Box   2
Folder   9
Correspondence
Vehicle records, 1978-1979
Box   2
Folder   10
Accounts payable disbursements
Box   2
Folder   11
Supporting documentation disbursements
Box   2
Folder   12
Supporting documents credits and adjustments
Box   2
Folder   13
Invoices
Box   2
Folder   14
Monthly statements